Growth of $10,000

Risk Measures as at February 28, 2015

Best/Worst 12 months (since inception)

Best (ending Feb 10):

36.89

Worst (ending Feb 09):

-26.02

Volatility meter (Based on 3 year standard deviation from GlobeInvestor.com)

Low High

Fund Objectives

The Fund has three principal objectives. These are: to obtain above-average income yield on its investments; to protect the value of its investments; and to achieve long-term capital appreciation consistent with the fulfillment of the first two objectives. In order to change its investment objective, the Fund needs approval from a majority of its investors who vote at a meeting held for this purpose, unless it is required by law to make the change.

Portfolio Manager(s)

Dom Grestoni, CGA, CFP

I.G. Investment Management Ltd.

Start Date: July, 2003

Fund Return: 6.28%

Dom Grestoni brings extensive investment experience with a North American focus, combined with substantial financial analysis and industry expertise to his role as Senior Vice-President, Portfolio Manager and Head of North American equities. Dom joined Investors Group in 1976 within the audit department. By 1983, he assumed responsibility for establishing the Company's Treasury Department and in 1995, he was named Senior Vice President, Corporate Investments and Treasury where he assumed overall responsibility for managing the Company's balance sheet including the Company's investment portfolio, asset liability management, treasury management and risk management operations. Dom joined the investment management division in 1998, and is currently responsible for overseeing the investment process for all North American equity mandates supported by a strong investment team. Dom is the Portfolio Manager of Investors Dividend Fund, Investors Canadian Large Cap Value Fund,* Investors Canadian Balanced Fund, and Investors Global Science and Technology Fund*. Dom is a Certified General Accountant (CGA) and a Certified Financial Planner (CFP).
* denotes portfolio management responsibilities for the class versions of these funds.